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GPCR Structure Therapeutics

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  • 36.240
  • +1.920+5.59%
Close Aug 14 16:00 ET
  • 36.970
  • +0.730+2.01%
Pre 08:00 ET
2.07BMarket Cap-20649P/E (TTM)

Structure Therapeutics Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-56.23%-26.39M
-67.82%-34.08M
-72.35%-79.49M
-80.68%-21.73M
-96.14%-20.56M
-67.35%-16.89M
-50.23%-20.31M
-43.41%-46.12M
-11.78%-12.03M
-10.48M
Net income from continuing operations
-11.83%-26.03M
-44.85%-26.04M
-74.63%-89.62M
-106.34%-24.5M
-92.17%-23.86M
-66.91%-23.28M
-37.41%-17.98M
-34.88%-51.32M
11.09%-11.88M
---12.42M
Depreciation and amortization
213.51%232K
217.14%222K
6.50%295K
0.00%72K
3.95%79K
25.42%74K
0.00%70K
284.72%277K
9.09%72K
--76K
Other non cash items
389.77%431K
421.43%438K
88.76%655K
172.37%207K
196.77%276K
-8.33%88K
2.44%84K
43.98%347K
16.92%76K
--93K
Change In working capital
-132.99%-2.03M
-74.82%-8.17M
134.70%6.97M
712.84%2.72M
94.01%2.75M
93.59%6.17M
-292.11%-4.67M
-26.93%2.97M
-129.11%-444K
--1.42M
-Change in prepaid assets
45.30%2.41M
-117.60%-6.63M
-1,223.61%-4.04M
-654.31%-1.75M
-198.15%-900K
285.67%1.66M
-3,039.18%-3.05M
69.74%-305K
-154.95%-232K
--917K
-Change in payables and accrued expense
-148.94%-2.21M
17.79%-1.22M
205.98%11.3M
6,789.71%4.55M
413.14%3.71M
11.21%4.52M
-43.91%-1.48M
-30.43%3.69M
-103.97%-68K
--723K
-Change in other current assets
-2,296.30%-1.78M
96.61%-2K
125.00%15K
88.33%-7K
--0
--81K
---59K
-66.67%-60K
---60K
--0
-Change in other current liabilities
-374.74%-451K
-256.52%-328K
12.74%-315K
15.48%-71K
43.00%-57K
7.77%-95K
-24.32%-92K
-76.96%-361K
-33.33%-84K
---100K
Cash from discontinued investing activities
Operating cash flow
-56.23%-26.39M
-67.82%-34.08M
-72.35%-79.49M
-80.68%-21.73M
-96.14%-20.56M
-67.35%-16.89M
-50.23%-20.31M
-43.41%-46.12M
-11.78%-12.03M
---10.48M
Investing cash flow
Cash flow from continuing investing activities
-197.65%-204.52M
102.89%1.42M
-332.06%-268.34M
-1,847.84%-180.74M
280.88%30.13M
-327.47%-68.71M
-23.41%-49.02M
-447.77%-62.11M
857.50%10.34M
-16.66M
Net PPE purchase and sale
-123.56%-427K
---162K
-1,298.06%-2.17M
-1,528.17%-1.16M
-1,038.89%-820K
-460.38%-191K
--0
87.15%-155K
40.83%-71K
---72K
Net investment purchase and sale
-197.85%-204.09M
103.22%1.58M
-329.64%-266.18M
-1,824.82%-179.59M
286.61%30.95M
-324.88%-68.52M
-23.61%-49.02M
-424.96%-61.95M
767.67%10.41M
---16.59M
Cash from discontinued investing activities
Investing cash flow
-197.65%-204.52M
102.89%1.42M
-332.06%-268.34M
-1,847.84%-180.74M
280.88%30.13M
-327.47%-68.71M
-23.41%-49.02M
-447.77%-62.11M
857.50%10.34M
---16.66M
Financing cash flow
Cash flow from continuing financing activities
173,400.67%514.7M
-99.59%702K
1,456.25%451.53M
89,223.10%281.63M
282.63%473K
-100.96%-297K
11,821.41%169.73M
-71.90%29.01M
-174.78%-316K
-259K
Net common stock issuance
--514.57M
--0
--472.3M
--300M
--0
--0
--172.3M
--0
--0
--0
Net preferred stock issuance
----
----
--0
--0
----
----
----
-69.52%31.5M
--0
--0
Proceeds from stock option exercised by employees
301.68%719K
2,335.48%755K
2,324.24%800K
--117K
1,531.03%473K
4,375.00%179K
--31K
200.00%33K
--0
--29K
Net other financing activities
-23.74%-589K
97.96%-53K
-756.09%-21.57M
-5,750.63%-18.49M
--0
-1.93%-476K
-79.63%-2.6M
-2,090.43%-2.52M
---316K
---288K
Cash from discontinued financing activities
Financing cash flow
173,400.67%514.7M
-99.59%702K
1,456.25%451.53M
89,223.10%281.63M
282.63%473K
-100.96%-297K
11,821.41%169.73M
-71.90%29.01M
-174.78%-316K
---259K
Net cash flow
Beginning cash position
-22.66%97.83M
397.46%129.79M
-75.22%26.09M
80.25%50.64M
-26.85%40.59M
149.88%126.49M
-75.22%26.09M
543.99%105.31M
-75.59%28.09M
--55.49M
Current changes in cash
430.37%283.8M
-131.83%-31.96M
230.91%103.7M
4,055.82%79.16M
136.66%10.05M
-1,864.63%-85.9M
283.60%100.4M
-189.05%-79.21M
79.57%-2M
---27.4M
End cash Position
840.18%381.63M
-22.66%97.83M
397.46%129.79M
397.46%129.79M
80.25%50.64M
-26.85%40.59M
149.88%126.49M
-75.22%26.09M
-75.22%26.09M
--28.09M
Free cash flow
-56.98%-26.82M
-68.61%-34.24M
-76.46%-81.66M
-89.18%-22.89M
-102.57%-21.38M
-70.14%-17.09M
-49.51%-20.31M
-38.69%-46.28M
-11.20%-12.1M
---10.55M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -56.23%-26.39M-67.82%-34.08M-72.35%-79.49M-80.68%-21.73M-96.14%-20.56M-67.35%-16.89M-50.23%-20.31M-43.41%-46.12M-11.78%-12.03M-10.48M
Net income from continuing operations -11.83%-26.03M-44.85%-26.04M-74.63%-89.62M-106.34%-24.5M-92.17%-23.86M-66.91%-23.28M-37.41%-17.98M-34.88%-51.32M11.09%-11.88M---12.42M
Depreciation and amortization 213.51%232K217.14%222K6.50%295K0.00%72K3.95%79K25.42%74K0.00%70K284.72%277K9.09%72K--76K
Other non cash items 389.77%431K421.43%438K88.76%655K172.37%207K196.77%276K-8.33%88K2.44%84K43.98%347K16.92%76K--93K
Change In working capital -132.99%-2.03M-74.82%-8.17M134.70%6.97M712.84%2.72M94.01%2.75M93.59%6.17M-292.11%-4.67M-26.93%2.97M-129.11%-444K--1.42M
-Change in prepaid assets 45.30%2.41M-117.60%-6.63M-1,223.61%-4.04M-654.31%-1.75M-198.15%-900K285.67%1.66M-3,039.18%-3.05M69.74%-305K-154.95%-232K--917K
-Change in payables and accrued expense -148.94%-2.21M17.79%-1.22M205.98%11.3M6,789.71%4.55M413.14%3.71M11.21%4.52M-43.91%-1.48M-30.43%3.69M-103.97%-68K--723K
-Change in other current assets -2,296.30%-1.78M96.61%-2K125.00%15K88.33%-7K--0--81K---59K-66.67%-60K---60K--0
-Change in other current liabilities -374.74%-451K-256.52%-328K12.74%-315K15.48%-71K43.00%-57K7.77%-95K-24.32%-92K-76.96%-361K-33.33%-84K---100K
Cash from discontinued investing activities
Operating cash flow -56.23%-26.39M-67.82%-34.08M-72.35%-79.49M-80.68%-21.73M-96.14%-20.56M-67.35%-16.89M-50.23%-20.31M-43.41%-46.12M-11.78%-12.03M---10.48M
Investing cash flow
Cash flow from continuing investing activities -197.65%-204.52M102.89%1.42M-332.06%-268.34M-1,847.84%-180.74M280.88%30.13M-327.47%-68.71M-23.41%-49.02M-447.77%-62.11M857.50%10.34M-16.66M
Net PPE purchase and sale -123.56%-427K---162K-1,298.06%-2.17M-1,528.17%-1.16M-1,038.89%-820K-460.38%-191K--087.15%-155K40.83%-71K---72K
Net investment purchase and sale -197.85%-204.09M103.22%1.58M-329.64%-266.18M-1,824.82%-179.59M286.61%30.95M-324.88%-68.52M-23.61%-49.02M-424.96%-61.95M767.67%10.41M---16.59M
Cash from discontinued investing activities
Investing cash flow -197.65%-204.52M102.89%1.42M-332.06%-268.34M-1,847.84%-180.74M280.88%30.13M-327.47%-68.71M-23.41%-49.02M-447.77%-62.11M857.50%10.34M---16.66M
Financing cash flow
Cash flow from continuing financing activities 173,400.67%514.7M-99.59%702K1,456.25%451.53M89,223.10%281.63M282.63%473K-100.96%-297K11,821.41%169.73M-71.90%29.01M-174.78%-316K-259K
Net common stock issuance --514.57M--0--472.3M--300M--0--0--172.3M--0--0--0
Net preferred stock issuance ----------0--0-------------69.52%31.5M--0--0
Proceeds from stock option exercised by employees 301.68%719K2,335.48%755K2,324.24%800K--117K1,531.03%473K4,375.00%179K--31K200.00%33K--0--29K
Net other financing activities -23.74%-589K97.96%-53K-756.09%-21.57M-5,750.63%-18.49M--0-1.93%-476K-79.63%-2.6M-2,090.43%-2.52M---316K---288K
Cash from discontinued financing activities
Financing cash flow 173,400.67%514.7M-99.59%702K1,456.25%451.53M89,223.10%281.63M282.63%473K-100.96%-297K11,821.41%169.73M-71.90%29.01M-174.78%-316K---259K
Net cash flow
Beginning cash position -22.66%97.83M397.46%129.79M-75.22%26.09M80.25%50.64M-26.85%40.59M149.88%126.49M-75.22%26.09M543.99%105.31M-75.59%28.09M--55.49M
Current changes in cash 430.37%283.8M-131.83%-31.96M230.91%103.7M4,055.82%79.16M136.66%10.05M-1,864.63%-85.9M283.60%100.4M-189.05%-79.21M79.57%-2M---27.4M
End cash Position 840.18%381.63M-22.66%97.83M397.46%129.79M397.46%129.79M80.25%50.64M-26.85%40.59M149.88%126.49M-75.22%26.09M-75.22%26.09M--28.09M
Free cash flow -56.98%-26.82M-68.61%-34.24M-76.46%-81.66M-89.18%-22.89M-102.57%-21.38M-70.14%-17.09M-49.51%-20.31M-38.69%-46.28M-11.20%-12.1M---10.55M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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